Titelia

Holdings of JPMORGAN CHASE & CO

4655 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 26.1 % of the equity sleeve

Sector breakdown

  • Technology 22.9 %
  • Health care 8.4 %
  • Financials 8.3 %
  • Consumer discretionary 8.2 %
  • Communication 7.6 %
  • Industrials 5.8 %
  • Consumer staples 4.1 %
  • Funds 3.8 %
  • Energy 2.6 %
  • Utilities 2.3 %
  • Real estate 1.3 %
  • Materials 1.0 %
  • Unattributed 23.7 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 98.6 %
  • TW 0.6 %
  • NL 0.2 %
  • GB 0.1 %
  • BR 0.1 %
  • IN 0.1 %
  • KY 0.1 %
  • MX 0.0 %
  • CN 0.0 %
  • FR 0.0 %
  • ZA 0.0 %
  • AR 0.0 %
  • Other countries 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US4,4481.4T $98.59 %
2TW47.6B $0.55 %
3NL62.8B $0.20 %
4GB291.4B $0.10 %
5BR171.4B $0.10 %
6IN61.2B $0.09 %
7KY441.1B $0.08 %
8MX11593.5M $0.04 %
9CN6573.5M $0.04 %
10FR4326.4M $0.02 %
11ZA5326.2M $0.02 %
12AR3250.3M $0.02 %

Positions

RankCompanySharesValueWeight
3,601Krispy Kreme Inc 34,490116.6K $
3,602Elevation Series Trust - Trues 2,892116.5K $
3,603L B Foster Co 4,149115.7K $
3,604MVB Financial Corp 4,598115.5K $
3,605Citizens Financial Services Inc 1,890115.3K $
3,606WisdomTree Trust WisdomTree In 5,127115.1K $
3,607CompX International Inc 4,906115K $
3,608MBIA Inc 20,051114.5K $
3,609OrthoPediatrics Corp 7,511114.2K $
3,610Blue Ridge Bankshares Inc 28,248113.8K $
3,6113D Systems Corp 59,583113.2K $
3,612ZipRecruiter Inc 63,432112.9K $
3,613Seaport Entertainment Group Inc 5,354112.3K $
3,614Perspective Therapeutics Inc 29,241112K $
3,615Eve Holding Inc 46,893111.6K $
3,616NEORT 12,317111.6K $
3,617RMR Group Inc/The 7,217111.4K $
3,618Candel Therapeutics Inc 24,863111.4K $
3,619Virginia National Bankshares Corp 2,777110K $
3,620Strawberry Fields REIT Inc 9,119109.3K $
3,621RF Industries Ltd 11,207109.3K $
3,622Sanara Medtech Inc 6,290108.8K $
3,623Standard BioTools Inc 117,886108.6K $
3,624Innovator U.S. Equity Accelerated 9 Buffer ETF - July 2,901108.4K $
3,625Tortoise Capital Series Trust 4,904107.4K $
3,626Forward Industries Inc 24,866107.2K $
3,627Reservoir Media Inc 11,272107.1K $
3,628Comstock Inc 36,724106.9K $
3,629iShares iBonds Dec 2031 Term C 5,130106.9K $
3,630NewtekOne Inc 10,095106.7K $
3,631Energy Vault Holdings Inc 33,061106.5K $
3,632National Research Corp 6,208106.4K $
3,633Hesai Group 5,991106.2K $
3,634Boston Omaha Corp 8,851105.6K $
3,635EVgo Inc 63,607105.6K $
3,636John Marshall Bancorp Inc 5,145105.1K $
3,637FS Bancorp Inc 2,678104.7K $
3,638Better Home & Finance Holding Co 3,135104.7K $
3,639Ginkgo Bioworks Holdings Inc 19,026104.3K $
3,640Protara Therapeutics Inc 21,490104.2K $
3,641FutureFuel Corp 26,450104.2K $
3,642BONDBLOXX USD HY BOND F REIT 2,853104.1K $
3,643Park-Ohio Holdings Corp 4,419103.8K $
3,644NET Lease Office Properties 9,181103.8K $
3,645JinkoSolar Holding Co Ltd 4,301103.7K $
3,646T. Rowe Price Growth ETF 2,743103.7K $
3,647Corsair Gaming Inc 19,365103.4K $
3,648Immunocore Holdings PLC 3,521103.1K $
3,649CuriosityStream Inc 35,452102.8K $
3,650PCB Bancorp 4,550102.8K $
3,651Stratus Properties Inc 3,228102.3K $
3,652Proshares Trust II 1,789102.3K $
3,653BlackRock Utilities, Infrastructure & Power Opportunities Trust 3,948102.1K $
3,654EW Scripps Co/The 26,909102K $
3,655First Internet Bancorp 5,058102K $
3,656CAPITAL GROUP GLOBAL EQUITY ETF 3,414100.7K $
3,657Ames National Corp 3,618100.6K $
3,658Columbia Core Bond ETF 3,350100.3K $
3,659Newsmax Inc 19,34699.8K $
3,660Alpine Income Property Trust Inc 5,52699.5K $
3,661Friedman Industries Inc 5,58699.4K $
3,662Grupo Supervielle SA 11,77799.2K $
3,663Utah Medical Products Inc 1,53099.1K $
3,664Citi Trends Inc 2,34998.7K $
3,665GBank Financial Holdings Inc 3,74698.7K $
3,666Flotek Industries Inc 5,80598.3K $
3,667REGIS CORPORATION MINN 4,05698K $
3,668EHang Holdings Ltd 10,70597.7K $
3,669Touchstone Sands Capital US Se 4,11197.4K $
3,670BEELINE HOLDINGS INC 46,03597.1K $
3,671Neuberger Energy Infrastructure and Income Fund Inc. 9,18296.7K $
3,672Adams Natural Resources Fund Inc 3,40696.6K $
3,673Innovator U.S. Equity Power Bu 2,12396K $
3,674Mayville Engineering Co Inc 5,48195.8K $
3,675Ready Capital Corp 59,63595.4K $
3,676Western New England Bancorp Inc 7,37195.3K $
3,677FVCBankcorp Inc 6,34495.2K $
3,678Blue Foundry Bancorp 7,42495K $
3,679Zevia PBC 78,54694.3K $
3,680Chemung Financial Corp 1,69393.6K $
3,681First Trust Exchange-Traded AlphaDEX Fund II 1,78293.4K $
3,682Loma Negra Cia Industrial Argentina SA 8,90093.1K $
3,683BNY Mellon ETF Trust 2,10292.6K $
3,684InfuSystem Holdings Inc 9,89692.5K $
3,685State Street SPDR S&P International Small Cap ETF 2,26092.4K $
3,686Core Molding Technologies Inc 4,04391.4K $
3,687First Trust Exchange-Traded Fund VIII 2,73991.3K $
3,688National Bankshares Inc 2,53891.3K $
3,689CoastalSouth Bancshares Inc 3,73290.7K $
3,690C&F Financial Corp 1,24190.5K $
3,691AerSale Corp 14,95790.3K $
3,692LENZ Therapeutics Inc 10,88390.2K $
3,693First United Corp 2,44790K $
3,694JOHN HANCOCK MULTIFACTOR SMALL JOHN HANCOCK MULTI SMALL CAP 2,14389.8K $
3,695Franklin Financial Services Corp 1,74189.8K $
3,696Rezolute Inc 31,45589.6K $
3,697eGain Corp 11,36289.3K $
3,698iShares Trust 2,02989.3K $
3,699Oak Valley Bancorp 2,78389.1K $
3,700Gencor Industries Inc 6,05188.7K $